The following table presents the composition of our deposits as of the dates indicated: | | | | | | | | | | | | | (in thousands) | March 31, 2021 | | December 31, 2020 | | Noninterest bearing deposits | $ | 958,526 | | | $ | 910,655 | | | Interest checking deposits | 1,406,070 | | | 1,351,641 | | | Money market deposits | 950,300 | | | 918,654 | | | Savings deposits | 580,862 | | | 529,751 | | | Time deposits under $250 | 558,338 | | | 581,471 | | | Time deposits of $250 or more | 340,467 | | | 254,877 | | Total deposits | $ | 4,794,563 | | | $ | 4,547,049 | |
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